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Debt (Tables)
9 Months Ended
Jun. 25, 2022
Debt Disclosure [Abstract]  
Summary of Cash Flows Associated with the Issuance and Maturities of Commercial Paper The following table provides a summary of cash flows associated with the issuance and maturities of Commercial Paper for the nine months ended June 25, 2022 and June 26, 2021 (in millions):
Nine Months Ended
June 25,
2022
June 26,
2021
Maturities 90 days or less:
Proceeds from commercial paper, net$4,383 $2,745 
Maturities greater than 90 days:
Proceeds from commercial paper5,731 3,993 
Repayments of commercial paper(5,144)(3,716)
Proceeds from commercial paper, net587 277 
Total proceeds from commercial paper, net$4,970 $3,022